Head of Treasury, Customer Accounting & Credit control (m / f / x)
Luxair
Palaiseau
EUR 80 000 - 100 000
Description du poste
For our department Treasury within General Services , we are looking for a (an) :
Head of Treasury, Customer Accounting & Credit control (m / f / x)
Manage the department's resources in alignment with the company's strategy.
Oversee daily cash management, ensure the availability of funds, and optimize cash surpluses.
Ensure the effective execution and supervision of banking operations, including bank reconciliation, and accounting for cash movements.
Identify, propose, and implement hedging strategies for volatility risks related to fuel price, foreign currencies, interest rates, and CO2 emissions.
Develop cash flow forecasts and liquidity flows, and prepare analysis and reports as required by the company.
Act as the primary point of contact for banking relationships and the efficient management of banking contracts.
Ensure the maintenance of an adequate internal control environment to limit fraud risk and ensure compliance with departmental policies and procedures.
Supervise the accurate management and integrity of third-party account master data, ensuring their proper governance, legitimacy, and compliance.
Ensure proactive management of receivables, collection procedures, and follow-up on credit risk management actions.
Contribute to process improvement projects aimed at optimizing departmental efficiency and performance.
Perform and / or supervise various administrative tasks based on the needs of the Finance departments.
Required profile :
Minimum requirements for the position
Hold a university degree or Master's in Treasury, Finance, Credit Management, or equivalent training / professional experience.
Have confirmed experience in the field of treasury and credit management.
Proficient in common office tools.
Proficient in English (spoken and written).
Desired or to-be-acquired criteria
Proficient in the department's specific programs (especially SAP).
Able to complete tasks within the required deadlines.
Have strong synthesis skills and excellent financial analysis capabilities.
Be organized, rigorous, precise, and orderly.
Possess good communication and team management skills.
Ideal Candidate
Have experience in a similar position for a minimum of 5 years
Proficiency in French, German, and Luxembourgish will be considered an advantage
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